6 Financial Markets jobs in India

Financial Markets Level 1 Service Desk Support Analyst

Transaction Network Services

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Job Description

An extraordinarily talented group of individuals work together every day to drive TNS' success, from both professional and personal perspectives.Come join the excellence!

Overview

The Financial Markets - Level 1 Service Desk Support Analyst will contribute to the team's success in supporting the stability and availability of the Market Data Services and Servers by raising service incident tickets, defining incident types, providing basic tirage, and assigning them to Level 2 Support. You will be responsible for responding to customer queries through various channels such as email and phone.

This is a customer-facing role. The individual is responsible for delivering customer experience and support of Market Data Services and Servers. The role is focused on the Financial Markets industry, liaising with technical representatives of TNS customers. This requires understanding basic concepts of exchange market data, applications supporting market data, Servers, financial markets, exchanges, data centers, and cloud solutions such as AWS and Azure-type cloud solutions.

Responsibilities

Key Responsibilities : (including but not limited to)

  • Monitor TNS’s various event management systems.
  • Monitor and manage inbound customer emails about TNS Market Data Services.
  • Monitor and manage inbound customer emails about Server and OS issues.
  • Respond to inbound telephone calls about TNS Market Data Services.
  • Create incidents on the Incident Management ticketing system (TeamSupport).
  • Define incident and provide level 1 triage following defined runbooks.
  • Engage and escalate to Level 2 Support on incidents and see the incident through resolution.
  • Be part of a global team providing 24x7and coverage on a rotation basis. (Working US hours)
  • Qualifications

    Experience, Skills, and Education:

  • 1-2 years of experience in related field.
  • Bachelor/Diploma in Computer Science or related
  • Basic experience in a financial industry support role, preferably with a financial markets managed service provider or independent market data software vendor.
  • Basic concept of Financial Markets (Equity, Futures, Options).
  • Basic concept of exchange market data.
  • Basic experience supporting and troubleshooting market data applications.
  • Basic concept of Linux and Windows.
  • Basic understanding of Server troubleshooting.
  • Basic concept of Data Center and AWS/Azure-type environments.
  • Great communication, and customer skills with attention to detail.
  • Great attitude and provide peace of mind to your teammates and customers.
  • This role is about being a “team player in service of each other”.
  • Someone who is teachable.
  • Has a drive to develop own skills and knowledge.
  • If you are passionate about technology, love personal growth and opportunity, come see what TNS is all about!

    TNS is an equal opportunity employer. TNS evaluates qualified applicants without regard to race, color, religion, gender, national origin, age, sexual orientation, gender identity or expression, protected veteran status, disability/handicap status or any other legally protected characteristic.

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    Financial Controller (Markets) - Analyst

    Mumbai, Maharashtra JPMorgan Chase & Co.

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    Job Description

    You are a strategic thinker passionate about driving solutions in Financial Control . You have found the right team.

    As a Financial control Professional in our Finance team you will spend each day defining, refining and delivering set goals for our firm.

    Job Responsibilities:

  • Collaborate closely with line of business controllers, middle office, and operations teams.
  • Ensure comprehensive understanding of monthly profit and loss with businesses.
  • Manage monthly consolidation of JPMorgan Chase income statement and balance sheet.
  • Develop and maintain financial reports and schedules.
  • Control post-closing entries and consolidation adjustments.
  • Execute various control procedures to uphold the integrity of reported financial results.
  • Contribute to the production of the monthly financial Flash Report and handle ad-hoc requests for financial information from across the firm.
  • Required qualifications, capabilities, and skills:

  • Bachelor’s degree in Accounting, Finance, or related business field.
  • Basic knowledge of industry standards and regulations.
  • Proficient desktop, spreadsheet, and database skills.
  • Strong organizational and problem-solving skills.
  • Proficient verbal and written communication skills.
  • Ability to liaise with business and risk partners effectively, building and maintaining relationships.
  • Capability to critically challenge to identify control issues and understand business drivers for delivering solutions.
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    Assistant Vice President, Specialist, Fixed Income Origination, Global Financial Markets

    Mumbai, Maharashtra DBS Bank

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    Job Description

    Assistant Vice President, Specialist, Fixed Income Origination, Global Financial Markets-(WD72881)

    Business Function

    As an Asian leader in treasury operations, DBS Global Financial Markets (GFM) extends a broad range of capabilities ranging from trading, structuring and sales in foreign exchange, interest rates, money market, credit, equity, commodities, bonds, derivatives and securities. We are a key player in various regional markets and actively make market, structure, originate, innovate and distribute a wide range of products.

    Our extensive network in Asia and our growing Asian focused franchises helps expand our product outreach and deepen product penetration. Altogether, our specialists are working across our expanding branch network to offer a full range of products and exceptional levels of services to clients investing and hedging in the global markets.

    Job Purpose 

  • The job purpose is to originate, structure, and execute a diverse range of debt capital market products, ensuring compliance and contributing to the overall success of the team and the organization.
  • This involves working closely with clients, internal teams, and external partners to deliver high-quality results while managing risk effectively.
  • Key Accountibilities :

    Origination and execution of Debt Capital Market products (Pass Through Certificates, INR debentures, FCY bonds, FCCBs and private credit) and contribute towards team KPIs 

    Other activities :

  • Taking care of all internal and external compliances
  • Coordination for team audit activities
  • Be active part of team strategy building
  • Manage special projects being awarded from time to time
  • Job Duties & Responsibilities :

  • Develop and deliver compelling pitch decks for client presentations.
  • Present to clients, explaining product offerings and negotiating deal terms.
  • Provide regular market updates and pricing information to clients.
  • Prepare and manage all necessary transaction documentation.
  • Liaise with external parties (lawyers, trustees, other banks) to ensure smooth transaction execution.
  • Collaborate with internal teams (IBG, asset owners, legal, compliance, credit sales) throughout the deal lifecycle.
  • Structure and execute various debt capital market products (PTCs, INR debentures, FCY bonds, FCCBs, private credit).
  • Perform due diligence and credit analysis on potential borrowers.
  • Manage the selection of assets for PTC pools.
  • Coordinate with rating agencies to obtain credit ratings for debt instruments.
  • Perform periodic stress testing on PTC portfolios.
  • Required Experience :

  • 4 to 6 year of work experience in INR debt capital markets / securitsation, credit structuring, debt advisory etc.
  • Prior experience in structuring and executing PTC transactions
  • Experience in using excel sheet for asset portfolio stress testing using historical pool behaviour
  • Basic understanding of debt finance, financial analysis, covenants etc.
  • Basic understanding of bond mathematics is a must
  • Good presentation and communication skills
  • Good hold over MS power point / MS excel
  • Education / Preferred Qualifications :

    4 to 6 year of work experience 

    Core Competencies :

  • Leadership
  • Customer Focus
  • Performance & Results Orientation
  • Innovation & Change Management
  • Teamwork
  • Professional Excellence
  • Technical Expertise :

  • Market Awareness
  • Deal Structuring & Negotiation
  • Problem-Solving & Analytical Skills
  • Strategic Thinking
  • Client Relationship Management
  • Work Relationship

  • Superior(s) : GFM & Corporate Treasurer
  • Peers : RMG, T&O, IBG/CBG, GTS, HO
  • External Parties : Market Counterparties, Regulators
  • DBS India - Culture & Behaviors

    DBS is committed to building a culture where all employees are valued, respected and their opinions count. We take pride in providing a workplace that fosters continuous professional development, flexible working, and opportunities to grow within an inclusive and diverse environment. Expected value driven behaviors are:

  • Demonstrate Business Performance through PRIDE 2.0 Value Based Propositions
  • Ensure Customer Focus by Delighting Customers & Reduce Complaints
  • Build Pride and Passion to Protect, Maintain and Enhance DBS’ Reputation
  • Enhance Self Knowledge, Skills and develop Competencies aimed at continuous improvement
  • Maintain the Highest Standards of Honesty and Integrity.
  • Apply Now

    We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.

    Primary Location

    :India-Maharashtra-Mumbai

    Job

    :Product Management

    Schedule

    :Regular

    Employee Status

    :Full-time:

    Job Posting

    :Jul 2, 2025, 7:05:16 AM
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    Financial Controller - Markets Acc - Associate

    Mumbai, Maharashtra JPMorgan Chase Bank, N.A.

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    Job Description

    The Financial Accounting, Infrastructure and Reporting (FAIR) team is accountable for the integrity of the books and records of the Firm / LOBs and leading large-scale data, infrastructure, accounting standard and business process change management events. The regional locations covered by FAIR include EMEA (Europe/Middle East/Africa), North America and Asia.

    The organization closely examines the general ledger, operating systems and infrastructure controls across the entire lifecycle and diverse product scope of the investment bank to ensure the firm's financial information is accurately depicted for reporting and regulation purposes. This financial information is used by analysts to assess the firm's financial position; by management to make sound financial decisions; by investors to make informed decisions; and by regulators to supervise and examine the firm appropriately.

    The most common functions and activities owned by FAIR include but are not limited to the following: financial analysis, consolidation, reporting, balance sheet reconciliation and substantiation, general ledger reconciliation reporting & governance, inter-entity control and governance, manual accounting/bookings to the general ledger and operating systems, and executing the month end close process.
    **Job Description
    - Manage the monthly consolidation of JPMorgan Chase income statement and balance sheet
    - Develop and maintain financial reports and schedules
    - Control post-closing entries and consolidation adjustments
    - Perform various control procedures to ensure the integrity of reported financial results
    - Participate in all aspects of the production of the monthly financial Flash Report
    - Support ad-hoc requests for financial information received from across the firm
    - Work closely with the line of business controllers, middle office and operations areas to understand the operational impact of trading strategies and settlement practices for the businesses globally
    - Work with various areas to research, escalate, and clear cash and settlement exceptions in a timely manner
    - Work with the businesses and controllers to understand and sign off on monthly profit and loss
    - Complete monthly general ledger reconciliation process

    **Skills**
    - Excellent verbal and written communication skills
    - Excellent organizational, problem-solving skills, negotiation and analytical skills
    - Excellent desktop/spreadsheet/database skills
    - Ability to work well under pressure and balance multiple priorities
    - Ability to build and maintain partnerships within the various product aligned businesses and across other corporate groups
    - Ability to understand business drivers and requirements and influence others to deliver solutions
    - Ability to critically challenge with the goal of identifying control issues
    - Ability to quickly understand workings of a complex processing system and general ledger systems across the infrastructure and their interrelationships and dependencies
    - Aptitude for learning and leveraging systems and data flows
    - Basic understanding of the firm's products

    **Qualifications
    - Basic experience with a financial consolidation and reporting system (i.e. SAP interface)
    - In-depth knowledge of industry standards and regulations
    - Bachelor's degree in Accounting, Finance, or Business (or equivalent experience)
    - CPA license beneficial in some FAIR roles but not required

    JPMorgan Chase & Co., one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world's most prominent corporate, institutional and government clients under the J.P. Morgan and Chase brands. Our history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management.

    We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. In accordance with applicable law, we make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as any mental health or physical disability needs.
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    Analyst, Specialist, GFMO/Global Financial Markets Operations, Gen Ops-T&M, Technology and Operat...

    Mumbai, Maharashtra DBS Bank

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    Job Description

    Analyst, Specialist, GFMO/Global Financial Markets Operations, Gen Ops-T&M, Technology and Operations-(WD74635)

    Business Function

    Group Technology and Operations (T&O) enables and empowers the bank with an efficient, nimble and resilient infrastructure through a strategic focus on productivity, quality & control, technology and people capability. In Group T&O, we manage the majority of the Bank's operational processes and inspire to delight our business partners through our multiple banking delivery channels.

    Job Purpose  

    Handling processing of Corporate FX desk with knowledge of underlying documentation of Corporate Foreign Exchange / Derivative trades with thorough knowledge of latest RBI Guidelines on Risk Management and Inter-Bank Dealings – Hedging of foreign exchange risk.

    Key Requirements

    Key Accountabilities  

  • Basic understanding of the Fx Market and the latest RBI regulations
  • Follow up, Review and records maintenance follow up for underlying and deal confirmation documentation for FX forward trades
  • Day to day processing of trades for GFM Ops
  • Ensuring reconciliation of trades booked in the core system with the upstream booking source
  • Ensure timely delivery of deal confirmation to clients
  • Tele affirmation of trades with the customers and reporting and reconciliation of deals to CCIL platform
  • Timely and accurate data to concurrent audit/ other audits as well as regular and ad hoc MIS preparation
  • Monitoring of Suspense accounts and liaising with other internal stakeholders.
  • Liaising with Front office/ customers for any discrepancies.
  • Job Duties & Rresponsibilities  

  • Operations Delivery
  • MIS & Reconciliation
  • Regulatory Reporting
  • Support GFMO deliverables.
  • Required Experience

    5-6 year experience in handling underlying documents for FX/Derivatives deals in operations of bank. Thorough understanding of RBI Circular on Risk Management and Inter-Bank Dealings – Hedging of foreign exchange risk.

    Education / Preferred Qualifications  

    Graduation Degree. Professional qualifications like MBA(Finance), MCOM would be added advantage.

    Core Competencies  

  • Product and working knowledge of Treasury Products, Underlying Documents, RBI Circulars, and operations.
  • A team-player, able to work under tight deadlines and manage multiple concurrent tasks.
  • Good communication skills
  • Technical Competencies  

  • Develop recommendations for continuous improvement and support STP and digital strategy for the bank.
  • Good command over MS Excel, MS WORD etc
  •  Work Relationship  

  • Manage stakeholders across Operations, customers, and business within given timelines.
  • Primary Location

    :India-Maharashtra-Mumbai

    Job

    :Operations

    Schedule

    :Regular

    Employee Status

    :Full-time:

    Job Posting

    :Jun 16, 2025, 10:30:00 AM
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    Vice President, Global Markets Financial Institutions Sales

    SMBC Group

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    Job Description

    Headquartered in Tokyo, Sumitomo Mitsui Banking Corporation (SMBC) is a leading global financial institution and a core member of Sumitomo Mitsui Financial Group (SMBC Group). Built upon our rich Japanese heritage since 1876, we put our customers first and provide seamless access to, from and within the Asia Pacific region. SMBC is one of the largest Japanese banks by assets and maintain strong credit ratings across our global integrated network. We work closely as one SMBC Group to offer personal, corporate and investment banking services to meet the needs of our customers.

    With sustainability embedded within our strategy and operations, we are committed to creating a society in which today’s generation can enjoy economic prosperity and well-being, and pass it on to future generations.

  • The role requires good understanding of requirements of FI clients.
  • Develop and market suitable Global Markets solutions to FI clients.
  • Work closely with Relationship Managers to onboard new clients. 
  • Originate & execute transactions with FI clients. Work closely with Trading team to ensure smooth execution.
  • Ensure compliance with regulatory (RBI, FEDAI, etc.) as well as SMBC guidelines at all times.
  • Knowledge: Good understanding of Indian FX and Rates markets & relevant products. 
  • Skills: Pricing and sales of FX & interest rate products.
  • Experience: 6–10 years of relevant experience of marketing Treasury products to Financial Institutions. 
  • Qualifications: MBA or Chartered Accountant.
  • Certification
    1. Certified Treasury dealer
    2. Diploma in Integrated Treasury Management

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